你知道债券基金经理和债券交易商是如何管理利率风险的吗?
Have an idea how bond portfolio managers and traders manage their interest rate risks.
基金管理人和经理人的利益冲突、内幕交易、道德风险、声誉缺失、激励缺陷严重影响着基金平稳运行;
The conducts of fund managers affecting incentive fund smooth operation in conflicts of interest, insider trading, and the risk of moral hazard, reputation deficiencies, motivating errors.
首席交易员查克·费尔德曼(Chuck Feldman)在我来公司三年后退休,把权杖交给了一位更加年轻、更侧重定量分析的风险管理经理。
Chuck Feldman, the top trader there, retired after my third year and handed the leadership baton to a younger, more quantitative risk manager.
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